DECH BOS
13F-HR, 1999-11-09
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                                  UNITED STATES

                       SECURITIES AND EXCHANGE COMMISSION

                             Washington, D.C. 20549

                                    Form 13F

                               Form 13F COVER PAGE

REPORT FOR THE CALENDAR YEAR OR QUARTER ENDED: JUNE 30, 1999
Check here if Amendment [ ]; Amendment Number:
This Amendment (Check only one.): [ ] is a restatement.

                                    [ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

NAME:          BPI GLOBAL ASSET MANAGEMENT LLP
ADDRESS:       1900 SUMMIT TOWER BOULEVARD, SUITE 450

               ORLANDO, FLORIDA  32810



FORM 13F FILE NUMBER: 28-03435

The institutional  investment  manager filing this report and the person by whom
it is signed hereby  represent  that the person signing the report is authorized
to  submit  it,  that all  information  contained  herein is true,  correct  and
complete,  and  that it is  understood  that  all  required  items,  statements,
schedules, lists, and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

NAME:          CHARLES E. SWEENEY
TITLE:         CONTROLLER
PHONE:         (407) 660-6100

Signature, Place, and Date of Signing:

/S/ CHARLES E. SWEENEY   ORLANDO, FLORIDA    AUGUST 17, 1999
[Signature]              [City, State]       [Date]

Report Type (Check only one.):

[x] 13F HOLDINGS REPORT.  (Check here if all holdings of this reporting  manager
are  reported  in this  report.)
[ ] 13F  NOTICE.  (Check  here if no  holdings reported  are in this report,
and all holdings are reported by other  reporting manager(s).)
[ ] 13F  COMBINATION  REPORT.  (Check  here  if a  portion  of the holdings  for
this  reporting  manager are reported in this report and a portion are reported
by other reporting  manager(s).)
List of Other Managers  Reporting for this  Manager:  [If there are no entries
in this list,  omit this  section.]
Form 13F File Number Name
28-____________ ___NONE_________________________________________ [Repeat as
necessary.]


BPI GLOBAL ASSET MANAGEMENT LLP
13F HOLDINGS
30-Jun-98


<TABLE>
<S>                            <C>                       <C>                  <C>         <C>      <C>      <C>       <C>
                                                                              MARKET
                                                                              VALUE       SHARES   INVEST   OTHER     VOTING
NAME OF ISSUER                 TITLE OF CLASS            CUSIP                (X1000)     PRN      DISCRET  MNGRS     AUTHORITY

AAR CORP                       COM                       000361105 Total        2,991      SHRS     SOLE     NONE      SOLE
AMR CORP DEL                   COM                       001765106 Total        1,103      SHRS     SOLE     NONE      SOLE
AT + T CORP                    COM                       001957109 Total          672      SHRS     SOLE     NONE      SOLE
ABBOTT LABS                    COM NPV                   002824100 Total          722      SHRS     SOLE     NONE      SOLE
ACCEPTANCE INSURANCE CO        COM                       004308102 Total        4,551      SHRS     SOLE     NONE      SOLE
ACORN PRODS INC                COM                       004857108 Total        2,833      SHRS     SOLE     NONE      SOLE
ADAC LABS                      COM NEW                   005313200 Total        7,529      SHRS     SOLE     NONE      SOLE
AIRTOUCH COMMUNICATIONS INC    COM                       00949T100 Total        8,771      SHRS     SOLE     NONE      SOLE
ALLEN TELECOM INC              COM                       018091108 Total        2,248      SHRS     SOLE     NONE      SOLE
ALLIED SIGNAL INC              COM                       019512102 Total          490      SHRS     SOLE     NONE      SOLE
ALLSTATE CORP                  COM                       020002101 Total          404      SHRS     SOLE     NONE      SOLE
AMERICA ONLINE INC DEL         COM                       02364J104 Total       16,121      SHRS     SOLE     NONE      SOLE
AMERICAN EXPRESS CO            COM                       025816109 Total       20,787      SHRS     SOLE     NONE      SOLE
AMERICAN GEN CORP              COM                       026351106 Total        5,447      SHRS     SOLE     NONE      SOLE
AMERICAN HOME PRODUCTS CORP    COM                       026609107 Total        2,437      SHRS     SOLE     NONE      SOLE
AMERICAN INTL GROUP INC        COM                       026874107 Total        1,074      SHRS     SOLE     NONE      SOLE
AMETEK AEROSPACE PRODS INC     COM                       031100100 Total          604      SHRS     SOLE     NONE      SOLE
AMGEN INC                      COM                       031162100 Total        3,367      SHRS     SOLE     NONE      SOLE
ANCHOR GAMING                  COM                       033037102 Total          800      SHRS     SOLE     NONE      SOLE
ANTEC CORP                     COM                       03664P105 Total          580      SHRS     SOLE     NONE      SOLE
APOGEE ENTERPRISES INC         COM                       037598109 Total        2,796      SHRS     SOLE     NONE      SOLE
ARTERIAL VASCULAR ENGR INC     COM                       043013101 Total          763      SHRS     SOLE     NONE      SOLE
ASCEND COMMUNICATIONS INC      COM                       043491109 Total          511      SHRS     SOLE     NONE      SOLE
ASSOCIATES FIRST CAP CORP      CL A                      046008108 Total        2,874      SHRS     SOLE     NONE      SOLE
AUTOMATIC DATA PROCESSING INC  COM                       053015103 Total        2,467      SHRS     SOLE     NONE      SOLE
BJS WHSL CLUB INC              COM                       05548J106 Total        1,674      SHRS     SOLE     NONE      SOLE
BMC INDS INC MINN              COM                       055607105 Total          721      SHRS     SOLE     NONE      SOLE
BMC SOFTWARE INC               COM                       055921100 Total        1,503      SHRS     SOLE     NONE      SOLE
BALLANTYNE OMAHA INC           COM                       058516105 Total        1,146      SHRS     SOLE     NONE      SOLE
BANTA CORP                     COM STK                   066821109 Total        2,917      SHRS     SOLE     NONE      SOLE
BARRA INC                      COM                       068313105 Total          952      SHRS     SOLE     NONE      SOLE
BELCO OIL + GAS CORP           COM                       077410108 Total          169      SHRS     SOLE     NONE      SOLE
BELL ATLANTIC CORP             COM                       077853109 Total        7,412      SHRS     SOLE     NONE      SOLE
BELLSOUTH CORP                 COM                       079860102 Total        4,919      SHRS     SOLE     NONE      SOLE
BESTFOODS                      COM                       08658U101 Total        4,956      SHRS     SOLE     NONE      SOLE
BLACK + DECKER CORPORATION     COM                       091797100 Total        6,463      SHRS     SOLE     NONE      SOLE
BOSTON SCIENTIFIC CORP         COM                       101137107 Total        6,476      SHRS     SOLE     NONE      SOLE
BOWNE + CO INC                 COM                       103043105 Total          861      SHRS     SOLE     NONE      SOLE
BRISTOL MYERS SQUIBB CO        COM                       110122108 Total        6,815      SHRS     SOLE     NONE      SOLE
CMAC INVT CORP                 COM                       125662106 Total          905      SHRS     SOLE     NONE      SOLE
CAMBRIDGE TECHNOLOGY PARNERS M COM                       132524109 Total        1,433      SHRS     SOLE     NONE      SOLE
CAPITAL ONE FINL CORP          COM                       14040H105 Total        3,582      SHRS     SOLE     NONE      SOLE
CARNIVAL CORP.                 COM                       143658102 Total          226      SHRS     SOLE     NONE      SOLE
CASH AMER INTL INC             COM                       14754D100 Total          449      SHRS     SOLE     NONE      SOLE
CELLSTAR CORP                  COM                       150925105 Total          308      SHRS     SOLE     NONE      SOLE
CHANCELLOR MEDIA CORP          COM                       158915108 Total          438      SHRS     SOLE     NONE      SOLE
CHASE MANHATTAN CORP NEW       COM                       16161A108 Total          778      SHRS     SOLE     NONE      SOLE
CISCO SYS INC                  COM                       17275R102 Total       15,854      SHRS     SOLE     NONE      SOLE
CITICORP                       COM                       173034109 Total       10,981      SHRS     SOLE     NONE      SOLE
CITRIX SYS INC                 COM                       177376100 Total        2,292      SHRS     SOLE     NONE      SOLE
CLEAR CHANNEL COMMUNICATIONS   COM                       184502102 Total        1,285      SHRS     SOLE     NONE      SOLE
CLOROX CO                      COM                       189054109 Total          421      SHRS     SOLE     NONE      SOLE
COCA COLA CO                   COM                       191216100 Total          629      SHRS     SOLE     NONE      SOLE
COLONIAL BANCGROUPINC          COM                       195493309 Total          569      SHRS     SOLE     NONE      SOLE
COLUMBUS MCKINNON CORP NY      COM                       199333105 Total          746      SHRS     SOLE     NONE      SOLE
COMPUTER SCIENCES CORP         COM                       205363104 Total        5,389      SHRS     SOLE     NONE      SOLE
COMVERSE TECHNOLOGY INC        COM NEW                   205862402 Total          427      SHRS     SOLE     NONE      SOLE
COSTCO COS INC                 COM                       22160Q102 Total        6,301      SHRS     SOLE     NONE      SOLE
DST SYS INC DEL                COM                       233326107 Total          577      SHRS     SOLE     NONE      SOLE
DTM CORP                       COM                       23333L103 Total          760      SHRS     SOLE     NONE      SOLE
DAVE + BUSTERS INC             COM                       23833N104 Total        2,429      SHRS     SOLE     NONE      SOLE
DAYTON HUDSON CORP             COM                       239753106 Total        7,218      SHRS     SOLE     NONE      SOLE
DELL COMPUTER CORP             COM                       247025109 Total        2,728      SHRS     SOLE     NONE      SOLE
DENTAL CARE ALLIANCE INC       COM                       248725103 Total          212      SHRS     SOLE     NONE      SOLE
DISNEY WALT CO                 COM                       254687106 Total        2,953      SHRS     SOLE     NONE      SOLE
DOLLAR THRIFTY AUTOMOTIVE GRP  COM                       256743105 Total        2,242      SHRS     SOLE     NONE      SOLE
DU PONT E I DE NEMOURS + CO    COM                       263534109 Total        4,063      SHRS     SOLE     NONE      SOLE
DUFF + PHELPS CREDIT RATING CO COM                       26432F109 Total        3,314      SHRS     SOLE     NONE      SOLE
DURA AUTOMOTIVE SYS INC        COM                       265903104 Total          709      SHRS     SOLE     NONE      SOLE
E M C CORP MASS                COM                       268648102 Total        5,539      SHRS     SOLE     NONE      SOLE
ELECTRONIC PROCESSING INC      COM                       285798104 Total        2,119      SHRS     SOLE     NONE      SOLE
EXXON CORP                     COM                       302290101 Total        1,469      SHRS     SOLE     NONE      SOLE
FEDERAL MOGUL CORP             COM                       313549107 Total        5,066      SHRS     SOLE     NONE      SOLE
FEDERAL NATL MTG ASSN          COM                       313586109 Total        5,900      SHRS     SOLE     NONE      SOLE
FEDERATED DEPT STORES INC DEL  COM                       31410H101 Total          475      SHRS     SOLE     NONE      SOLE
FIBERMARK INC                  COM                       315646109 Total        3,249      SHRS     SOLE     NONE      SOLE
FIDELITY NATL FINL INC         COM                       316326107 Total          879      SHRS     SOLE     NONE      SOLE
FIRST UN CORP                  COM                       337358105 Total        2,657      SHRS     SOLE     NONE      SOLE
FLEET FINL GROUP INC           COM                       338915101 Total          491      SHRS     SOLE     NONE      SOLE
FOOTSTAR INC                   COM                       344912100 Total          777      SHRS     SOLE     NONE      SOLE
FORD MTR CO DEL                COM                       345370100 Total        4,575      SHRS     SOLE     NONE      SOLE
FORE SYSTEMS                   COM                       345449102 Total          507      SHRS     SOLE     NONE      SOLE
FRANKLIN COVEY CO              COM                       353469109 Total        4,626      SHRS     SOLE     NONE      SOLE
FREEDOM SECS CORP              COM                       35644K103 Total          533      SHRS     SOLE     NONE      SOLE
GTE CORP                       COM                       362320103 Total          655      SHRS     SOLE     NONE      SOLE
GALLAGHER ARTHUR J + CO        COM                       363576109 Total        5,308      SHRS     SOLE     NONE      SOLE
GENERAL ELEC CO                COM                       369604103 Total       18,929      SHRS     SOLE     NONE      SOLE
GENERAL INSTR CORP DEL         COM                       370120107 Total       10,560      SHRS     SOLE     NONE      SOLE
GENERAL MTRS CORP              CL H NEW                  370442832 Total          485      SHRS     SOLE     NONE      SOLE
GLOBAL DIRECTMAIL CORP         COM                       379321102 Total        1,575      SHRS     SOLE     NONE      SOLE
GOODYS FAMILY CLOTHING INC     COM                       382588101 Total        1,163      SHRS     SOLE     NONE      SOLE
GULF IS FABRICATION INC        COM                       402307102 Total        2,497      SHRS     SOLE     NONE      SOLE
HBO + CO                       COM                       404100109 Total          622      SHRS     SOLE     NONE      SOLE
HIRSCH INTL GROUP              CL A                      433550100 Total        4,701      SHRS     SOLE     NONE      SOLE
HUTCHINSON TECHNOLOGY INC      COM                       448407106 Total        4,744      SHRS     SOLE     NONE      SOLE
ICN PHARMACEUTICALS INC        COM                       448924100 Total        3,630      SHRS     SOLE     NONE      SOLE
ITI TECHNOLOGIES INC           COM                       450564109 Total        2,083      SHRS     SOLE     NONE      SOLE
INTEGRATED CIRCUIT SYS INC     COM                       45811K109 Total        2,060      SHRS     SOLE     NONE      SOLE
INTERNATIONAL BUSINESS MACHS   COM                       459200101 Total        5,904      SHRS     SOLE     NONE      SOLE
JOHNSON + JOHNSON              COM                       478160104 Total        2,605      SHRS     SOLE     NONE      SOLE
K2 INC                         COM                       482732104 Total        3,494      SHRS     SOLE     NONE      SOLE
KANSAS CITY SOUTHN INDS INC    COM                       485170104 Total          504      SHRS     SOLE     NONE      SOLE
KAYDON CORP                    COM                       486587108 Total          520      SHRS     SOLE     NONE      SOLE
LEARNING CO INC                COM                       522008101 Total          654      SHRS     SOLE     NONE      SOLE
LIMITED INC                    COM                       532716107 Total          682      SHRS     SOLE     NONE      SOLE
LITHIA MTRS INC                CL A                      536797103 Total        2,724      SHRS     SOLE     NONE      SOLE
LOCKHEED MARTIN CORP           COM                       539830109 Total        2,586      SHRS     SOLE     NONE      SOLE
LOMAK PETE INC                 COM NEW                   541509303 Total        3,103      SHRS     SOLE     NONE      SOLE
LUCENT TECHNOLOGIES INC        COM                       549463107 Total        2,079      SHRS     SOLE     NONE      SOLE
LUNAR CORP                     COM                       550362107 Total        5,557      SHRS     SOLE     NONE      SOLE
M + F WORLDWIDE CORP           COM                       552541104 Total        1,951      SHRS     SOLE     NONE      SOLE
MCI COMMUNICATIONS CORP        COM                       552673105 Total          513      SHRS     SOLE     NONE      SOLE
MANITOWOC INC                  COM                       563571108 Total        5,588      SHRS     SOLE     NONE      SOLE
MAXIM GROUP INC                COM                       57772J104 Total        4,680      SHRS     SOLE     NONE      SOLE
MAY DEPT STORES CO             COM                       577778103 Total        3,181      SHRS     SOLE     NONE      SOLE
MCDONALDS CORP                 COM                       580135101 Total        1,015      SHRS     SOLE     NONE      SOLE
MCKESSON CORP NEW              COM                       581557105 Total          478      SHRS     SOLE     NONE      SOLE
MEADOWCRAFT INC                COM                       583204102 Total        2,525      SHRS     SOLE     NONE      SOLE
MELLON BK CORP                 COM                       585509102 Total        5,287      SHRS     SOLE     NONE      SOLE
MERCK + CO INC                 COM                       589331107 Total        6,692      SHRS     SOLE     NONE      SOLE
MERRILL CORP                   COM                       590175105 Total        6,318      SHRS     SOLE     NONE      SOLE
MERRILL LYNCH + CO INC         COM                       590188108 Total          543      SHRS     SOLE     NONE      SOLE
METHODE ELECTRS INC            CL A                      591520200 Total        2,548      SHRS     SOLE     NONE      SOLE
METRIS COS INC                 COM                       591598107 Total          657      SHRS     SOLE     NONE      SOLE
METRIKA SYS CORP               COM                       59159M106 Total        2,021      SHRS     SOLE     NONE      SOLE
MICROSOFT CORP                 COM                       594918104 Total       17,700      SHRS     SOLE     NONE      SOLE
MIDWEST EXPRESS HLDGS INC      COM                       597911106 Total        1,864      SHRS     SOLE     NONE      SOLE
MOBIL CORP                     COM                       607059102 Total          451      SHRS     SOLE     NONE      SOLE
MODTECH INC                    COM                       607914108 Total        2,626      SHRS     SOLE     NONE      SOLE
MONRO MUFFLER BRAKE INC        COM                       610236101 Total        1,360      SHRS     SOLE     NONE      SOLE
MORGAN STANLEY DEAN WITTER     COM NEW                   617446448 Total        6,320      SHRS     SOLE     NONE      SOLE
MORTON S RESTAURANT GROUP  INC COM                       619429103 Total        4,061      SHRS     SOLE     NONE      SOLE
MOTORCAR PTS + ACCESORIES INC  COM                       620071100 Total        2,270      SHRS     SOLE     NONE      SOLE
NFO WORLDWIDE INC              COM                       62910N108 Total          262      SHRS     SOLE     NONE      SOLE
NETWORKS ASSOCS INC            COM                       640938106 Total          775      SHRS     SOLE     NONE      SOLE
NEW YORK TIMES CO              CL A                      650111107 Total          583      SHRS     SOLE     NONE      SOLE
NEWMARK HOMES CORP             COM                       651578106 Total        1,924      SHRS     SOLE     NONE      SOLE
NORTH FACE INC                 COM                       659317101 Total          706      SHRS     SOLE     NONE      SOLE
NORTHLAND CRANBERRIES INC      COM                       666499108 Total        4,827      SHRS     SOLE     NONE      SOLE
OPEN MKT INC                   COM                       68370M100 Total        2,352      SHRS     SOLE     NONE      SOLE
ORION CAP CORP                 COM                       686268103 Total          822      SHRS     SOLE     NONE      SOLE
PATTERSON ENERGYINC            COM                       703414102 Total          576      SHRS     SOLE     NONE      SOLE
PEPSICO INC                    COM                       713448108 Total        4,358      SHRS     SOLE     NONE      SOLE
PFIZER INC                     COM                       717081103 Total        3,039      SHRS     SOLE     NONE      SOLE
PHILIP MORRIS COS INC          COM                       718154107 Total          550      SHRS     SOLE     NONE      SOLE
PLEXUS CORP                    COM                       729132100 Total          614      SHRS     SOLE     NONE      SOLE
PRIMA ENERGY CORP           CO COM                       741901201 Total        2,905      SHRS     SOLE     NONE      SOLE
PRIMARK CORP                   COM                       741903108 Total        2,857      SHRS     SOLE     NONE      SOLE
PROCTER + GAMBLE CO            COM                       742718109 Total        5,240      SHRS     SOLE     NONE      SOLE
PROVIDIAN FINL CORP            COM                       74406A102 Total        1,561      SHRS     SOLE     NONE      SOLE
RMI TITANIUM CO                COM NEW                   74961H203 Total        5,048      SHRS     SOLE     NONE      SOLE
RACING CHAMPIONS CORP          COM                       750069106 Total        1,861      SHRS     SOLE     NONE      SOLE
RALSTON PURINA CO              COM RALSTON PURINA GROUP  751277302 Total        4,919      SHRS     SOLE     NONE      SOLE
RESOURCE BANCSHARES MTG GRP IN COM                       761197102 Total        5,661      SHRS     SOLE     NONE      SOLE
RITE AID CORP                  COM                       767754104 Total        1,380      SHRS     SOLE     NONE      SOLE
ROCK OF AGES CORP DEL          CL A                      772632105 Total        3,878      SHRS     SOLE     NONE      SOLE
ROCKSHOX INC                   COM                       774066104 Total        1,057      SHRS     SOLE     NONE      SOLE
ROSS STORES INC                COM                       778296103 Total          633      SHRS     SOLE     NONE      SOLE
SBC COMMUNICATIONS INC         COM                       78387G103 Total        1,060      SHRS     SOLE     NONE      SOLE
SOS STAFFING SVCS INC          COM                       78462X104 Total          545      SHRS     SOLE     NONE      SOLE
SAFEWAY INC                    COM NEW                   786514208 Total          599      SHRS     SOLE     NONE      SOLE
SAPIENT CORP                   COM                       803062108 Total          753      SHRS     SOLE     NONE      SOLE
SCHERING PLOUGH CORP           COM                       806605101 Total       10,531      SHRS     SOLE     NONE      SOLE
SHOREWOOD PACKAGING CORP       COM                       825229107 Total        2,962      SHRS     SOLE     NONE      SOLE
SIMPSON MFG INC                COM                       829073105 Total          568      SHRS     SOLE     NONE      SOLE
SNYDER OIL CORP                COM                       833482102 Total        4,460      SHRS     SOLE     NONE      SOLE
SOLA INTL INC                  COM                       834092108 Total        5,392      SHRS     SOLE     NONE      SOLE
SONIC AUTOMATIC INC            COM                       83545G102 Total        2,612      SHRS     SOLE     NONE      SOLE
SPRINT CORP                    COM                       852061100 Total          467      SHRS     SOLE     NONE      SOLE
STANLEY FURNITURE INC          COM NEW                   854305208 Total          747      SHRS     SOLE     NONE      SOLE
STURM RUGER + CO INC           COM                       864159108 Total        3,981      SHRS     SOLE     NONE      SOLE
SUBURBAN LODGES AMER INC       COM                       864444104 Total        2,782      SHRS     SOLE     NONE      SOLE
SUPERIOR ENERGY SVCS INC       COM                       868157108 Total          335      SHRS     SOLE     NONE      SOLE
SUPERIOR TELECOM INC           COM                       868365107 Total          919      SHRS     SOLE     NONE      SOLE
SYMANTEC CORP                  COM                       871503108 Total          346      SHRS     SOLE     NONE      SOLE
TJX COS INC NEW                COM                       872540109 Total        6,700      SHRS     SOLE     NONE      SOLE
TMBR / SHARP DRILLING INC      COM                       87257P101 Total        2,167      SHRS     SOLE     NONE      SOLE
TIME WARNER INC                COM                       887315109 Total       12,288      SHRS     SOLE     NONE      SOLE
TORCHMARK INC                  COM                       891027104 Total          505      SHRS     SOLE     NONE      SOLE
TORO CO                        COM                       891092108 Total        5,156      SHRS     SOLE     NONE      SOLE
TRANSOCEAN OFFSHORE INC        COM                       893817106 Total          393      SHRS     SOLE     NONE      SOLE
TRAVELERS GROUP INC            COM                       894190107 Total          446      SHRS     SOLE     NONE      SOLE
TRICO MARINE SVCS INC          COM                       896106101 Total          544      SHRS     SOLE     NONE      SOLE
UNUM CORP                      COM                       903192102 Total          490      SHRS     SOLE     NONE      SOLE
U S WEST INC NEW               COM                       91273H101 Total        2,352      SHRS     SOLE     NONE      SOLE
UNITED VIDEO SATELLITE GROUP   CL A                      913155107 Total          816      SHRS     SOLE     NONE      SOLE
UNIVERSAL FOODS CORP           COM                       913538104 Total          712      SHRS     SOLE     NONE      SOLE
VALLEY NATL GASES INC PA       COM                       919792101 Total        2,023      SHRS     SOLE     NONE      SOLE
VIACOM INC                     CL B                      925524308 Total        4,240      SHRS     SOLE     NONE      SOLE
VITAL SIGNS INC                COM                       928469105 Total        3,765      SHRS     SOLE     NONE      SOLE
WAL MART STORES INC            COM                       931142103 Total        1,341      SHRS     SOLE     NONE      SOLE
WARNER LAMBERT CO              COM                       934488107 Total        8,853      SHRS     SOLE     NONE      SOLE
WERNER ENTERPRISES INC         COM                       950755108 Total          561      SHRS     SOLE     NONE      SOLE
WINSTAR COMMUNICATIONS INC     COM                       975515107 Total        1,870      SHRS     SOLE     NONE      SOLE
WORLDCOM INC GA                COM                       98155K102 Total        8,007      SHRS     SOLE     NONE      SOLE
FRESH DEL MONTE PRODUCE        COM                       G36738105 Total        1,951      SHRS     SOLE     NONE      SOLE
TEFRON LTD                     COM                       M87482101 Total        2,234      SHRS     SOLE     NONE      SOLE
MCDERMOTT J RAY S A            COM                       P64658100 Total          458      SHRS     SOLE     NONE      SOLE
                                                                              594,398
</TABLE>


                              Form 13F SUMMARY PAGE

Report Summary:

NUMBER OF OTHER INCLUDED MANAGERS: ____0______

FORM 13F INFORMATION TABLE ENTRY TOTAL: __295_________

FORM 13F INFORMATION TABLE VALUE TOTAL: $_918,055______

                                            (thousands)

List of Other Included Managers:

Provide  a  numbered  list of the  name(s)  and Form 13F file  number(s)  of all
institutional  investment  managers  with respect to which this report is filed,
other than the  manager  filing  this  report.  [If there are no entries in this
list,  state "NONE" and omit the column headings and list entries.] No. Form 13F
File Number Name ____ 28-____________  ____NONE______________________ [Repeat as
necessary.]



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